How many years should be used to find the extended net present value for two repeatable mutually exclusive projects with a 3-year and 4-year life?.

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Answer 1

To find the extended net present value (ENPV) for two repeatable mutually exclusive projects with different life spans, it is important to use a common time horizon. In this case, we need to find the least common multiple (LCM) of 3 and 4, which is 12. This means we should use a time horizon of 12 years to evaluate the ENPV of both projects.

Using a time horizon of 12 years allows us to compare the projects over a longer period and account for any differences in their respective lifespans. We can calculate the ENPV of each project by discounting their cash flows back to the present using the appropriate discount rate.

By using the ENPV method, we can determine which project is more financially feasible over the long-term, taking into account factors such as cash flows, timing, and the cost of capital. This allows us to make an informed decision on which project to pursue based on their long-term potential for generating returns and creating value for the organization.

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7. a. which policy is likely to shift aggregate demand more? in which direction will it shift? a tax increase that occurs in the same year as a spending increase a tax increase that occurs without a spending increase b. why is this so?

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The policy that is likely to shift aggregate demand more is the tax increase that occurs without a spending increase. This is because when taxes increase, people have less disposable income, which decreases consumer spending.

As a result, businesses will see a decrease in demand for their products, which will lead to a decrease in production and employment. This decrease in production and employment will cause a shift in aggregate demand to the left.
On the other hand, when a tax increase occurs in the same year as a spending increase, the effect on aggregate demand is less clear.

The spending increase will increase aggregate demand, but the tax increase will decrease it. The net effect will depend on the size of the spending increase and the tax increase. If the spending increase is large enough to offset the effect of the tax increase, then aggregate demand may not shift much. However, if the tax increase is larger than the spending increase, then aggregate demand will shift to the left.
In summary, a tax increase that occurs without a spending increase is likely to shift aggregate demand more to the left than a tax increase that occurs in the same year as a spending increase. This is because the former reduces consumer spending and business production and employment, whereas the latter's net effect on aggregate demand is uncertain and dependent on the relative size of the tax and spending increases.

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which of the following are defenses to superfund prp liability?prospective purchaser under the small business liability relief act.secured creditor.owned parcel more than 50 years ago.innocent landowner.

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The defenses to Superfund PRP (potentially responsible party) liability are prospective purchaser under the Small Business Liability Relief Act, secured creditor, owned parcel more than 50 years ago, and innocent landowner.

The Superfund law, officially known as the Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA), imposes liability on parties responsible for contamination at hazardous waste sites. PRPs can include current and former owners or operators of a site, as well as those who arranged for disposal of hazardous substances.

There are some defenses to PRP liability, such as the four options you listed. A prospective purchaser can avoid liability if they conducted all appropriate inquiries into the property's previous uses and environmental conditions before buying it, and if they take reasonable steps to address any identified contamination. A secured creditor can also avoid liability if they only held a security interest in the property and did not participate in its management.

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When a tax is imposed in a market for a good, deadweight loss occurs because.

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Deadweight loss happens when a tax is applied in a market for goods because the tax results in a discrepancy between the price purchasers pay and the price sellers receive, which reduces economic efficiency. Here option C is the correct answer.

When a tax is imposed in a market for a good, deadweight loss occurs because the tax creates a difference between the price paid by buyers and the price received by sellers, leading to a loss of economic efficiency. This is known as the "excess burden" of the tax, where the tax leads to a decrease in the overall quantity of the goods being exchanged in the market, as well as a reduction in consumer and producer surplus.

The excess burden arises because the tax increases the price paid by buyers and decreases the price received by sellers. As a result, the demand for the good decreases, and the supply of the good reduces, leading to a reduction in the quantity of the goods traded. This results in a loss of efficiency as some mutually beneficial trades are not made, leading to an overall decrease in social welfare.

In addition to reducing the quantity of the goods traded, the tax also creates administrative and compliance costs for both buyers and sellers, which further decreases efficiency. Overall, deadweight loss occurs when the imposition of the tax results in a decrease in overall economic welfare, by reducing the quantity of the goods traded and creating inefficiencies in the market.

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Complete question:

When a tax is imposed in a market for a good, deadweight loss occurs because:

A) The tax revenue collected by the government reduces the overall supply of the good

B) The tax increases the cost of production, which decreases the overall demand for the good

C) The tax creates a difference between the price paid by buyers and the price received by sellers, leading to a loss of economic efficiency

D) The tax reduces the number of suppliers in the market, leading to a decrease in the overall quantity supplied of the good.

What is the name of the form that must be filled out by the designated officer to share data?.

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American Patriot Act Financial institutions are allowed to communicate information with one another under Section 314(b) in order to spot and report to the federal government activities that might entail money laundering or terrorist activity after giving notice to the US Department of the Treasury.

In order to more effectively identify and report activities that may entail money laundering or terrorist activities, financial institutions are given the opportunity to communicate information with one another under the safe harbor that affords liability protections under Section 314(b) of the USA PATRIOT Act.

According to the Section 314(a) process, law enforcement must guarantee that the request has been given the proper amount of agency examination and that the subject of the inquiry is satisfactory.

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which of the following characteristics of checks has made checkable deposits a large component of the m1 money supply? multiple select question. intrinsic value convenience safety extrinsic value

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It is important to understand the definition of M1 money supply. M1 money supply refers to the narrowest definition of money supply, which includes physical currency (such as coins and bills) and checkable deposits. Checkable deposits are deposits in checking accounts that can be easily converted into cash, making them highly liquid.

The characteristics of checks that have made checkable deposits a large component of the M1 money supply include convenience and safety. Checks are a convenient way to make payments as they can be easily written and deposited into a checking account, eliminating the need for physical currency. Additionally, checks are considered to be safe as they can be traced and canceled if lost or stolen.

Furthermore, the intrinsic value of checks is minimal, but their extrinsic value is significant. While checks themselves do not have inherent value, they represent a promise by the account holder to pay the recipient a certain amount of money. This promise is backed by the funds in the account, which makes checks a reliable means of payment.

In conclusion, the convenience, safety, and extrinsic value of checks have contributed to the large component of checkable deposits in the M1 money supply.

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Which agency monitors the sale and registration of vehicles.

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The agency responsible for monitoring the sale and registration of vehicles is the Department of Transportation (DOT). Here option C is the correct answer.

The DOT is a federal agency in the United States that was established in 1966 with the goal of ensuring a safe, efficient, and reliable transportation system. One of the key responsibilities of the DOT is to oversee the regulation of motor vehicle safety and traffic operations.

The DOT's National Highway Traffic Safety Administration (NHTSA) is the agency specifically tasked with regulating and monitoring the sale and registration of vehicles. NHTSA sets and enforces safety performance standards for motor vehicles and equipment, investigates safety defects, and manages vehicle recalls.

In addition to NHTSA, individual states also have their own motor vehicle departments that are responsible for registering vehicles and enforcing state-specific regulations related to motor vehicle sales and operation. However, the DOT is the federal agency that sets the overarching rules and standards for motor vehicles and has the authority to enforce these regulations on a national level.

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Complete question:

Which of the following agencies is responsible for monitoring the sale and registration of vehicles?

A) Federal Bureau of Investigation (FBI)

B) Environmental Protection Agency (EPA)

C) Department of Transportation (DOT)

D) Centers for Disease Control and Prevention (CDC)

____ is a type of an organization in which top management ensures that there is consensus about the direction in which the business is heading.

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A strategic organization is a type of organization in which top management ensures that there is consensus about the direction in which the business is heading.

In a strategic organization, the top leadership sets the overall strategy and direction for the company, and then ensures that everyone in the organization is aligned with and working towards those goals.

This type of organization is typically characterized by a high level of communication and collaboration among all levels of the organization, as well as a focus on long-term planning and goal setting.

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In the open-economy macroeconomic model, the supply of dollars in the market for foreign-currency exchange is upward sloping, True O False

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The given statement "In the open-economy macroeconomic model, the supply of dollars in the market for foreign-currency exchange is upward sloping" is true because as the exchange rate increases, American investors start investing more in foreign assets or provide loans to foreign entities, leading to an increase in the supply of dollars in the foreign exchange market. When the exchange rate decreases, the attractiveness of foreign investments and loans decreases, leading to a decrease in the supply of dollars.

The given statement "In the open-economy macroeconomic model, the supply of dollars in the market for foreign-currency exchange is upward sloping" is true because in an open-economy macroeconomic model, the supply of dollars comes from two primary sources: exports and financial outflows, such as investments in foreign assets or loans to foreign entities. Both of these factors are positively related to the exchange rate, which is the price of dollars in terms of foreign currency.

As the exchange rate increases, meaning the value of the dollar rises in comparison to foreign currencies, exports become more expensive to foreign buyers. As a result, the demand for American exports decreases, leading to a decrease in the quantity of dollars supplied in the foreign exchange market. Conversely, when the exchange rate decreases, exports become cheaper, leading to an increase in the quantity of dollars supplied.

Similarly, as the exchange rate increases, it becomes more attractive for American investors to invest in foreign assets or provide loans to foreign entities, leading to an increase in the supply of dollars in the foreign exchange market. When the exchange rate decreases, the attractiveness of foreign investments and loans decreases, leading to a decrease in the supply of dollars.

Since both exports and financial outflows are positively related to the exchange rate, the overall supply of dollars in the foreign-currency exchange market is upward sloping. This reflects the fact that as the value of the dollar increases, more dollars are supplied in the market for foreign-currency exchange.

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which one of the following statements is correct? question 7 options: the quiet period commences when a registration statement is filed with the sec and ends on the day the ipo shares commence trading. additional ipo shares can be issued in accordance with the lockup agreement. lockup agreements outline how oversubscribed ipo shares will be allocated.

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the correct statement is the first one: "The quiet period commences when a registration statement is filed with the SEC and ends on the day the IPO shares commence trading."

Out of the three statements mentioned in the question, only one is correct. Let's analyze each statement individually:
1. "The quiet period commences when a registration statement is filed with the SEC and ends on the day the IPO shares commence trading."
This statement is partially correct. The quiet period is a specific period of time during which the underwriters and company insiders involved in the IPO cannot make any public statements about the company or the upcoming offering. This period typically starts once the registration statement has been filed with the SEC and ends on the day the IPO shares commence trading. However, the quiet period is not exclusive to this time period. It can also be enforced during other periods, such as after the company releases its earnings report.
2. "Additional IPO shares can be issued in accordance with the lockup agreement."
This statement is incorrect. A lockup agreement is a contractual agreement between the underwriters and company insiders that prohibits them from selling any shares of the company for a specified period after the IPO. The purpose of a lockup agreement is to prevent the sudden influx of shares into the market, which can drive down the share price. It does not allow for the issuance of additional shares.
3. "Lockup agreements outline how oversubscribed IPO shares will be allocated."
This statement is also incorrect. Lockup agreements do not have anything to do with oversubscribed shares. Oversubscribed shares occur when demand for the IPO exceeds the number of shares offered. In this case, the underwriters may allocate shares in proportion to each investor's requested allocation, or they may use a lottery system. Lockup agreements only dictate how long insiders must wait before they can sell their shares.


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If you owe $35,000 payable at the end of eight years, what amount should your creditor accept in payment immediately if she could earn 13 percent on her money? Use Appendix B for an approximate answer, but calculate your final answer using the formula and financial calculator methods. (Do not round intermediate calculations. Round your final answer to 2 decimal places.)

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The creditor should accept $10,604.51 in payment immediately to be equivalent to receiving $35,000 in eight years at a 13% interest rate.

To find the amount that the creditor should accept in payment immediately, we need to calculate the present value of the $35,000 due in eight years at a 13% interest rate.

Using the formula for present value:

PV = FV / (1 + r)ⁿ

Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

Plugging in the values we get:

PV = 35,000 / (1 + 0.13)⁸

PV = 35,000 / 3.3000311

PV = 10,604.51

Therefore, the creditor should accept $10,604.51 in payment immediately to be equivalent to receiving $35,000 in eight years at a 13% interest rate.

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The relationship between price and quantity supplied is typically.

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The relationship between price and quantity supplied is typically negative.

The relationship between price and quantity is always negative which means that the higher the price level goes, the lower will be the quantity demanded and, the lower the price level is the higher will be the quantity demanded.

The law of demand states that the quantity purchased varies inversely with the price.

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firms in a monopolistically competitive industry have no reason to engage in nonprice competition because their products are uniquely different from other sellers in the market.
T/F

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Companies in monopolistically competitive industries have little incentive to participate in nonprice competition since their goods are fundamentally distinct from those of other market participants. False.

Companies may still participate in nonprice competition in monopolistically competitive markets to distinguish their goods and obtain a competitive edge. Although the products of various companies in this sector might be somewhat similar, there are still differences that companies can use to distinguish their offerings and draw in customers.

A company could distinguish its goods, for instance, by providing higher quality, more cutting-edge features, or better customer service. These variations might boost the firm's market share and increase customer attraction for its product. Additionally, businesses operating in an industry with monopolistic competition may participate.

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give three reasons why it is important to ensure that proper control is utilized when purchasing supplies and equipment.

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There are several reasons why it is important to ensure that proper control is utilized when purchasing supplies and equipment in a business. Here are three key reasons:

Cost Control: Proper control over purchasing supplies and equipment helps to control costs. Risk Management: Effective control over purchasing supplies and equipment also helps to mitigate risks. Compliance: Proper control over purchasing supplies and equipment is also important for compliance reasons.

Risk management in business refers to the process of identifying, assessing, and prioritizing potential risks and developing strategies to mitigate or avoid them. The goal of risk management is to minimize the negative impact of potential risks on the organization's objectives and stakeholders, while also maximizing opportunities for growth and success.

Effective risk management involves a systematic approach that involves identifying potential risks and their likelihood of occurrence, evaluating their potential impact, and developing plans to manage or mitigate them. This can include implementing risk controls, transferring risk through insurance, or accepting the risk and developing contingency plans.

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Companies are one of the greatest inventions of the 19th century. They are used forsmall, medium and large businesses. Without the contribution of companies, it wouldhave been difficult to enjoy life-changing products such as vehicles, mobile phones,computers, the internet, vaccines and many other innovations that have benefitedhumanity.However, Australians commonly witness companies flouting the separatelegal entity principle and ASIC’s supervision is inadequate in curbing their misconduct.Legal reform is needed to reduce the risk of companies abusing the separate legal entitydoctrine. Do you agree/disagree with the above statement? Why or why not?You may address one or more of the following issues in answering the essay question:1. Whether companies are a great innovation.2. Why companies are the most popular vehicle for doing business and are preferredover other types of business organisations in Australia.3. Whether there are specific examples that help explain if the Corporations Law is/isnot able to minimise risks associated with the separate legal entity doctrine (examplesshould focus on topics covered in weeks 1-4).4. The strengths/weaknesses of ASIC as a corporate regulator and its role in reducingthe risk of companies abusing the separate legal entity doctrine.5. Potential legal reforms that could reduce the risk of corporate abuses of the separatelegal entity

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As an AI language model, I do not have personal opinions, but I can provide you with a general answer based on the information provided. Companies are indeed a great innovation as they have played a significant role in bringing life-changing products and services to people around the world.

They have been instrumental in driving economic growth, creating jobs, and improving people's lives through various innovations. Companies are the most popular vehicle for doing business because they provide a separate legal entity that limits the liability of shareholders, making it easier for investors to invest in new ventures. Moreover, companies have the ability to raise funds through issuing shares or borrowing money from financial institutions.

There are several examples of companies flouting the separate legal entity principle, such as the case of Salomon v. A Salomon & Co Ltd, where the court upheld the principle but found that it could be abused by unscrupulous individuals. The Corporations Law provides for ASIC's supervision to minimize the risks associated with the separate legal entity doctrine. However, there are instances where ASIC's supervision is inadequate in curbing company misconduct.

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Companies are considered a great innovation because they have enabled businesses of all sizes to operate and grow, creating products and services that have changed the world. Without companies, we would not have many of the life-changing products we enjoy today, such as cars, mobile phones, computers, the internet, and vaccines.

Companies are the most popular vehicle for doing business in Australia because they offer limited liability protection to their shareholders. This means that if the company incurs debts or liabilities, the shareholders are only responsible for the amount of their investment. Companies are also preferred because they have a separate legal entity, which means they can enter into contracts, sue and be sued, and own property in their own name. The Corporations Law is designed to minimize the risks associated with the separate legal entity doctrine, but there are instances where companies flout this principle. For example, a company may be used as a front for illegal activities, such as money laundering or tax evasion. In such cases, the law may not be able to prevent the abuse of the separate legal entity doctrine. ASIC is the corporate regulator in Australia and has a role in reducing the risk of companies abusing the separate legal entity doctrine. ASIC has the power to investigate and prosecute companies that breach the Corporations Law. However, ASIC's supervision may not be adequate in curbing all instances of misconduct by companies.

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FILL IN THE BLANK. If a company prices its products significantly lower in foreign countries than in the domestic market, they may be subject to ________ __________ buyers who will purchase the products internationally and then sell them in the United States for a much lower price than the normal market price.

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If a corporation prices its products much lower in foreign countries than in the domestic market, it may face grey market purchasers who will buy the products worldwide and then resell them in the United States for much less than the usual market price.

When a company sets lower prices for their products in foreign countries than in the domestic market, it creates an incentive for grey market buyers to purchase these products in bulk from the foreign market and resell them in the United States for a lower price than the company's normal market price.

This phenomenon is known as grey market or parallel importing, and it can have a negative impact on the company's revenue and reputation. Grey market buyers take advantage of price differentials between countries to make a profit, often at the expense of the company.

This can lead to a loss of revenue for the company, as they are not receiving the full price for their products in their main market. Additionally, grey market products may not be covered under the same warranty and support policies as products sold through official channels, leading to customer dissatisfaction and damage to the company's reputation.

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a registered representative takes on a weekend job in landscaping, both for the exercise and to earn some extra cash. what steps does she need to take in regard to her employer broker-dealer? a) she must provide prior written notice to the employing member firm. b) she must provide prior written notice to, and receive written permission from, the employing member. c) as the second job is not securities related, no further actions are required by the representative. d) she must provide written notice to a finra district office.

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If a registered representative takes on a weekend job in landscaping, there are certain steps that they need to take in regard to their employer broker-dealer. The answer to this question is B. The representative must provide prior written notice to, and receive written permission from, the employing member.

This is because the representative's second job may potentially create a conflict of interest with their primary job as a registered representative. It is essential to obtain written permission to avoid any issues in the future. Additionally, the representative must ensure that the second job does not interfere with their responsibilities and duties as a registered representative. They should also make sure that the second job does not violate any securities regulations or policies of the broker-dealer. Lastly, it is always recommended to seek advice from their compliance department regarding the steps that they should take before taking on a second job. In summary, obtaining written permission from the employing member is a crucial step that the representative must take before starting a weekend job in landscaping.

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a. explain the main theoretical underpinnings of minimum cost analysis. b. using the minimum cost analysis concept, discuss how you would reduce the heat loss and energy costs of a building that you own.

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Minimum cost analysis is a concept that helps in determining the most efficient and cost-effective way to produce a certain quantity of output.

It is based on the principle that a firm should produce at the point where the marginal cost of production equals the marginal revenue of the output. In other words, it seeks to minimize the cost of production while maximizing revenue.

To reduce heat loss and energy costs of a building, a minimum cost analysis approach would involve identifying the most cost-effective measures to implement. This could include measures such as installing insulation, sealing air leaks, upgrading heating and cooling systems, using energy-efficient lighting, and optimizing the use of natural light. The cost of implementing each measure would be weighed against the potential savings in energy costs over time. The goal would be to identify the most cost-effective combination of measures that would result in the lowest overall energy costs while still maintaining comfortable living or working conditions.

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The top management at Phoenix Inc. planned to shift their corporate office to a facility about eight miles away from the current location. The top managers knew that their decision would meet with considerable employee resistance because it would change their commute times, and, in general, be disruptive, at least in the short term. They held a meeting with all the employees well in advance of the scheduled move to share with them the advantages of moving to the new office and the things that management would be doing to help them through the transition. This minimized the employees resistance. Which of the following techniques oferetroming trunce is illustrated in the scenario? a Risk propensity b. Deskilling c. Specialization d. Education e. Micromanagement

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The technique of education is illustrated in the scenario where top management held a meeting with all the employees to share the advantages of moving to the new office and the things that management would be doing to help them through the transition. Option (d)

This technique involves providing information, training, and knowledge to employees to enhance their understanding of the organization's goals and objectives, and how their work contributes to achieving them. Through this technique, management aims to reduce resistance to change by increasing employees' awareness and understanding of the reasons for the change and how it will benefit them in the long run.

By educating employees, management can improve their acceptance of the change, minimize negative reactions, and enhance the success of the change initiative.

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drag the appropriate curve to show the initial change to the short-run economy as a result of a crop-killing frost in georgia and florida, using the aggregate demand and supply graph.

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The shift in SRAS curve causes a movement along the aggregate demand (AD) curve, leading to a lower level of real output and a higher price level.

Aggregate refers to a collection of individual items that are combined into a single entity. In economics, the term is often used to describe the total demand, supply, or output of a particular market or economy.

Aggregate demand (AD) refers to the total amount of goods and services that consumers, businesses, and the government are willing and able to purchase at different price levels. It is represented by the AD curve in macroeconomic models.Aggregate supply (AS) refers to the total amount of goods and services that producers are willing and able to supply at different price levels. It is represented by the AS curve in macroeconomic models.

Aggregate output or Gross Domestic Product (GDP) refers to the total value of all goods and services produced within an economy in a given period, usually a year.The study of aggregates allows economists to analyze the overall behavior of markets and economies, including trends in production, consumption, inflation, and employment.

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katie operates a sandwich shop near campus. katie has been selling 120 of her turkey/cheese/bacon sandwiches a day when the price is $4.50. katie is considering a price cut to $3.50 and estimates sales of the sandwich would increase to 200 sandwiches per day. calculate the own-price elasticity of demand.

Answers

The own-price elasticity of demand measures the responsiveness of the quantity demanded of a good to a change in its price. It is calculated by dividing the percentage change in the quantity demanded by the percentage change in the price.

Using the formula for own-price elasticity of demand, we can calculate the elasticity as follows:
Elasticity = ((Q2 - Q1) / ((Q1 + Q2) / 2)) / ((P2 - P1) / ((P1 + P2) / 2))
where Q1 = 120, Q2 = 200, P1 = 4.50, and P2 = 3.50.
Substituting the values, we get:
Elasticity = ((200 - 120) / ((120 + 200) / 2)) / ((3.50 - 4.50) / ((4.50 + 3.50) / 2))
Elasticity = (80 / 160) / (-1 / 4)
Elasticity = -0.5


Therefore, the own-price elasticity of demand for Katie's turkey/cheese/bacon sandwiches is -0.5. This means that a 1% decrease in the price of the sandwich leads to a 0.5% increase in the quantity demanded.

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coutess corporation is expected to pay an annual dividend of 4.33 on its common stock in one year. the current stock price is 71.51 per share. the company announced that it will

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The company's cost of equity is 9.28%. The correct option is 9.28%.

To find Countess Corp.'s cost of equity, we can use the Dividend Growth Model (DGM) formula:

Cost of Equity (Ke) = (D1 / P0) + g

Where:
D1 = expected dividend in one year
P0 = current stock price
g = annual dividend growth rate

We are given:
- Annual dividend in one year (D1) = $4.15
- Current stock price (P0) = $69.95
- Dividend growth rate (g) = 3.35%

First, we need to convert the growth rate from percentage to decimal:

g = 3.35% / 100 = 0.0335

Now we can plug in the values into the formula:

Ke = ($4.15 / $69.95) + 0.0335

Ke = 0.0593 + 0.0335

Ke = 0.0928

To express the cost of equity as a percentage, we multiply by 100:

Ke = 0.0928 * 100 = 9.28%

The correct option is 9.28%.

The complete question is:

Countess Corp. is expected to pay an annual dividend of $4.15 on its common stock in one year. The current stock price is $69.95 per share. The company announced that it will increase its dividend by 3.35 percent annually. What is the company's cost of equity?

Multiple Choice

9.85%

9.48%

8.77%

9.28%

9.02%

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revise your calculations based the new information provided below and then answer the questions that follow. inflows: issue common stock $ 111,000 sell inventory to customers 127,280 issue notes payable 78,440 sell land 145,040 earn interest on investments 2,960 sell patent 90,280 outflows: purchase equipment $ 266,400 purchase inventory 56,240 purchase treasury stock 59,200 repay notes payable 44,400 pay salaries 57,720 pay dividends 22,200 beginning cash $ 78,440 required: 1. what is the revised amount of operating, investing and financing cash flows? (net outflows should be indicated by a minus sign.) 2. what is the revised ending cash balance? 3. which of the three types of cash flows could best be desribed as cash-basis net income? multiple choice 1 operating investing financing 4. which of the following types of cash flow involves primarily changes in long-term liabilities and stockholders' equity? multiple choice 2 operating activities investing activities financing activities

Answers

Based on the new information provided, the revised calculations for operating, investing, and financing cash flows are as follows:
Operating cash flows:
Sell inventory to customers: $127,280
Earn interest on investments: $2,960
Pay salaries: -$57,720
Pay dividends: -$22,200
Net cash inflow from operating activities: $50,320

Investing cash flows:
Sell land: $145,040
Sell patent: $90,280
Purchase equipment: -$266,400
Purchase inventory: -$56,240
Net cash outflow from investing activities: -$87,320
Financing cash flows:
Issue common stock: $111,000
Issue notes payable: $78,440
Purchase treasury stock: -$59,200
Repay notes payable: -$44,400
Net cash inflow from financing activities: $86,840
The revised ending cash balance is calculated by adding the net cash inflow from operating activities, net cash outflow from investing activities, and net cash inflow from financing activities to the beginning cash balance of $78,440. Therefore, the revised ending cash balance is $128,840.
Cash-basis net income can best be described as operating cash flows, as these are the cash inflows and outflows related to the core operations of the business. Operating cash flows include the cash received from customers and the cash paid for operating expenses such as salaries and dividends.
Changes in long-term liabilities and stockholders' equity are primarily associated with financing activities. Therefore, financing activities involve primarily changes in long-term liabilities and stockholders' equity.

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Usually, companies compute depletion for accounting purposes using a.

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The computation of depletion helps companies to accurately account for the costs associated with extracting and selling natural resources, ensuring that their financial statements accurately reflect the economic reality of their operations.

Depletion is a method used in accounting to allocate the cost of natural resources over the period in which they are expected to be extracted and sold. Typically, companies compute depletion by dividing the total cost of the natural resource, such as oil or gas reserves, by the estimated total amount of the resource that can be extracted.

The estimated total amount of the resource that can be extracted is determined through geological surveys and analysis of the resource. Once the estimated total amount has been determined, the company can calculate the depletion rate per unit, which is then multiplied by the number of units extracted during the period to determine the depletion expense.

It's important to note that depletion is not the same as depreciation or amortization, which are methods of allocating the cost of assets over time. Instead, depletion is used specifically for natural resources that are being extracted and sold over a period of time.

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first movers in an industry often capture above-average profits and have the advantage that they can sustain this position through to the maturity phase of their life cycle. group startstrue or falsetrue, unselectedfalse, unselectedgroup ends

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True, first movers in an industry often capture above-average profits and have the advantage that they can sustain this position through to the maturity phase of their life cycle. First movers are companies or individuals that are the first to enter a specific market or industry. By being the first, they can establish a strong brand presence, gain customer loyalty, and develop new technologies or innovations before their competitors.

Step 1: Establish a strong brand presence
First movers can build their brand reputation and recognition before other competitors enter the market. This helps them to gain a larger market share and create customer trust, which can result in sustained profits.

Step 2: Gain customer loyalty
By being the first in the market, customers will associate the product or service with the first mover's brand. This can lead to customer loyalty and repeat business, contributing to long-term profitability.

Step 3: Develop new technologies or innovations
First movers often have the opportunity to invest in research and development, which allows them to create unique products or services. By introducing innovative solutions, they can differentiate themselves from competitors and maintain a competitive edge.

Step 4: Create barriers to entry
By dominating the market early on, first movers can create barriers to entry for competitors. These barriers may include high startup costs, proprietary technology, or exclusive contracts with suppliers or distributors.

In conclusion, being a first mover in an industry can lead to capturing above-average profits and sustaining this position through to the maturity phase of the business life cycle. This advantage is primarily due to strong brand presence, customer loyalty, innovation, and creating barriers to entry for competitors.

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businesses that offer low-priced value propositions, a high degree of automation, and outsourcing of costly functions are typically described as: group of answer choices cost-driven value-driven

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Businesses that offer low-priced value propositions, a high degree of automation, and outsourcing of costly functions are typically described as cost-driven.

Businesses that offer low-priced value propositions, a high degree of automation, and outsourcing of costly functions are typically described as cost-driven. Cost-driven businesses focus on reducing costs and maximizing efficiency to offer products or services at a lower price point than competitors. These businesses often rely on automation and outsourcing to reduce labor costs and increase production efficiency. By automating repetitive tasks and outsourcing non-core functions, they can focus on their core competencies and optimize their operations. In contrast, value-driven businesses focus on delivering high-quality products or services that meet the needs of their target customers. They may invest more in research and development, design, and customer service to create a differentiated offering that justifies a higher price point. Overall, cost-driven businesses prioritize cost reduction and efficiency to offer low-priced value propositions, while value-driven businesses prioritize product or service quality and differentiation.

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which of these is one of the three major tasks involved in the implementation stage of the sales management process?

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The sales management process typically involves four stages: planning, implementation, monitoring, and evaluation. The implementation stage is the stage where the plans and strategies developed in the planning stage are put into action.

There are three major tasks involved in the implementation stage:

Sales force implementation: This involves selecting and hiring salespeople, training them on the company's products or services, establishing sales territories and quotas, and developing compensation plans and incentive programs.Sales strategy and tactics implementation: This involves putting into action the sales strategies and tactics developed in the planning stage, such as developing and implementing advertising and promotional campaigns, setting prices, and establishing distribution channels.Sales automation and technology implementation: This involves implementing sales automation and technology tools to support the sales force, such as customer relationship management (CRM) software, sales forecasting tools, and sales analytics software.

Overall, the implementation stage is a crucial stage in the sales management process as it involves executing the plans and strategies developed in the planning stage and putting them into action.

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Which of the following statements is true?a. The way to increase the profitability of a firm is to create a greater number of products. b. The amount of value a firm creates is measured by the difference between its costs of production and the value that consumers perceive in its products. c. The more value customers place on a firm's products, the lower the price the firm is able to charge for those products. d. The price a firm charges for a good or service is typically more than the value the customer places on that good or service. e. None of the above.

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The correct answer is b. The amount of value a firm creates is measured by the difference between its costs of production and the value that consumers perceive in its products.

In economics, value creation refers to the process of producing goods and services that are worth more to customers than the cost of producing them. This difference between the cost of production and the perceived value of the product is known as the economic surplus or economic profit.

A firm can increase its profitability by creating value through the production of goods and services that customers perceive as being worth more than their production costs. This can be achieved through various means such as improving the quality of the product, reducing production costs, improving customer service, or creating a strong brand reputation.

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When economists speak of a surplus​, they mean a situation in which

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When economists speak of a surplus, they mean a situation in which there is an excess of supply over demand at the current price.

A surplus occurs when the quantity supplied of a good or service exceeds the quantity demanded at the current price. This leads to a situation where producers are willing to sell more than consumers are willing to buy. As a result, there is an excess of goods or services, which may lead to a decrease in price in an attempt to increase demand and reduce the surplus. In some cases, producers may have to cut back on production to reduce the surplus. Surpluses can be temporary or long-term, and they can occur in any market where there is competition and a free flow of goods and services. Understanding surpluses is important for businesses and policymakers as it can affect pricing decisions, production levels, and economic growth.

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using the rule of 70, select all of the following that are true. group of answer choices a country with an annual population growth rate of 2% will double its population in 17.5 years. a job with a starting salary of $50,000 and a guaranteed annual raise of 2% will have a salary of $100,000 in 35 years. if the economic growth rate is 7%, per capita gdp will double in 10 years.

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All of the following statements are true when using the rule of 70.

The rule of 70 is a mathematical formula used to estimate the time it takes for a variable to double, given a constant annual growth rate. It is calculated by dividing the number 70 by the annual growth rate.

To calculate the doubling time using the rule of 70, divide 70 by the growth rate (70 / 2 = 35 years). In the case of the job, use the same formula to find the doubling time for the salary (70 / 2 = 35 years). For the economic growth rate, use the same formula to determine the doubling time of per capita GDP (70 / 7 = 10 years).

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Closed end investment companies1. have a fixed capital structure2. issue new stock whenever an individual buys shares3. may sell for a premium over net asset value4. must sell for their net asset value

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A closed end investment company's capital structure is set. Option 1 is Correct.

The phrase "closed-end" refers to funds that have a set capital structure and number of outstanding shares. Their shares are traded on an exchange between investors after an initial public offering. A closed-end fund is a form of mutual fund that, in order to obtain money for its initial investments, issues a predetermined number of shares through a single initial public offering (IPO).

After then, its shares can be purchased and sold on a stock market, but no new shares or funds will be generated for the fund. A closed-end fund makes investments in stocks, bonds, money market instruments, and/or other assets using the funds obtained at its initial public offering. Option 1 is Correct.

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